Finance Services Manager: Treasury Onboarding & Controls

Revolut

Philippines

On-site

PHP 1,000,000 - 2,000,000

Full time

8 days ago
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Job summary

Revolut is seeking a Finance Services Manager in the Philippines to oversee treasury onboarding processes and banking portal access for key stakeholders, ensuring efficient and compliant setup of group treasury accounts.

You’ll scale operations, support Settlements/Trade teams, build vendor relationships, and drive tool-based improvements while strengthening risk controls across trading and funding activities.

Qualifications

  • 3+ years of experience in financial services, ideally in treasury, onboarding, or payments.
  • Experience in a reputable and high-growth bank or fintech.
  • Knowledge of various financial instruments.
  • Expertise in delivering change and continuous improvement.
  • A good understanding of key treasury or finance functions.
  • Experience in risk and control management.

Responsibilities

  • Ensuring group treasury accounts are managed and maintained effectively
  • Managing banking portal access so key stakeholders have the correct permissions to keep the business running smoothly
  • Scaling operations by ensuring new entities are set up correctly and controlled from a group treasury and finance perspective
  • Support Settlements, Trade, and Support teams where needed
  • Building and maintaining relationships with vendors to ensure business continuity
  • Implementing new tools and processes to improve overall team performance
  • Enhancing controls and documentation of current trading and funding processes
  • Managing risk and control metrics, such as KRIs, KPIs, and SLAs

Skills

Treasury experience
Onboarding
Payments
Change management
Risk & controls

Tools

SQL
Excel
Python

Job description

Revolut is seeking a Finance Services Manager in the Philippines to oversee treasury onboarding processes and banking portal access for key stakeholders, ensuring efficient and compliant setup of group treasury accounts.

You’ll scale operations, support Settlements/Trade teams, build vendor relationships, and drive tool-based improvements while strengthening risk controls across trading and funding activities.

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